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Quarterly Financial Data (Unaudited) (Restated) (Details) - Schedule of statements of cash flows - USD ($)
3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2020
Jun. 30, 2020
Mar. 31, 2020
Sep. 30, 2019
Jun. 30, 2019
Mar. 31, 2019
Jun. 30, 2020
Jun. 30, 2019
Sep. 30, 2020
Sep. 30, 2019
Dec. 31, 2019
As Previously Reported [Member]                      
Cash Flows from Operating Activities:                      
Net income $ (99,964) $ (121,769) $ 386,140 $ 536,584 $ 557,215 $ 535,012 $ 264,371 $ 1,092,227 $ 164,407 $ 1,628,811  
Changes in current assets and current liabilities:                      
Prepaid assets     (40,292)     6,347 (27,677) 12,111 (11,052) 13,762  
Accounts payable and accrued expense     91,344     (6,020) 142,875 (5,817) 173,905 (4,414)  
Due to related parties           (2,379) 100,005 (2,379) 205,000 (2,379)  
Net Cash Used in Operating Activities     (97,176)     (155,650) (79,065) (286,519) (26,759) (364,114)  
Interest earned on investment held in Trust Account     (534,368)     (688,610) (558,639) (1,382,661) (559,019) (1,999,894)  
Change in fair value of warrant liabilities          
Cash Flows from Investing Activities:                      
Purchase of investment held in Trust Account     (1,148,800)       (1,268,800)   (1,448,800)    
Net Cash Provided by Investing Activities     (1,148,800)       104,610,318   104,430,318    
Cash withdrawn from Trust Account to pay redeeming shareholders             105,879,118   105,879,118    
Cash Flows from Financing Activities:                      
Redemption of ordinary shares             (105,879,118)   (105,879,118)    
Cash Flows from Financing Activities:                      
Proceeds from promissory note – related party     780,000       780,000   780,000    
Cash Flows from Financing Activities:                      
Proceeds from promissory note             100,000   220,000 1,148,800  
Net Cash Provided by Financing Activities     780,000       (104,999,118)   (104,879,118) 1,148,800  
Net increase (decrease) in Cash     (465,976)     (155,650) (467,865) (286,519) (475,559) 784,686  
Cash – Beginning of the period 9,289 11,178 477,154 165,890 296,759 452,409 477,154 452,409 477,154 452,409 $ 452,409
Cash – Ending of period 1,595 9,289 11,178 1,237,095 165,890 296,759 9,289 165,890 1,595 1,237,095 477,154
Supplemental Disclosure of Non-cash Financing Activities:                      
Change in value of ordinary shares subject to possible redemption     386,139     535,015 264,370 1,092,228 164,409 1,628,807  
Adjustments [Member]                      
Cash Flows from Operating Activities:                      
Net income 15,734 6,062 16,418 20,363 16,649 25,857 22,480 42,506 38,214 62,869  
Changes in current assets and current liabilities:                      
Prepaid assets          
Accounts payable and accrued expense          
Due to related parties            
Net Cash Used in Operating Activities          
Interest earned on investment held in Trust Account          
Change in fair value of warrant liabilities     (16,418)     (25,857) (22,480) (42,506) (38,214) (62,869)  
Cash Flows from Investing Activities:                      
Purchase of investment held in Trust Account                
Net Cash Provided by Investing Activities                
Cash withdrawn from Trust Account to pay redeeming shareholders                  
Cash Flows from Financing Activities:                      
Redemption of ordinary shares                  
Cash Flows from Financing Activities:                      
Proceeds from promissory note – related party                
Cash Flows from Financing Activities:                      
Proceeds from promissory note                
Net Cash Provided by Financing Activities              
Net increase (decrease) in Cash          
Cash – Beginning of the period
Cash – Ending of period
Supplemental Disclosure of Non-cash Financing Activities:                      
Change in value of ordinary shares subject to possible redemption     16,427     25,851 22,488 42,500 38,218 62,868  
Restated [Member]                      
Cash Flows from Operating Activities:                      
Net income (84,230) (115,707) 402,558 556,947 573,864 560,869 286,851 1,134,733 202,621 1,691,680  
Changes in current assets and current liabilities:                      
Prepaid assets     (40,292)     6,347 (27,677) 12,111 (11,052) 13,762  
Accounts payable and accrued expense     91,344     (6,020) 142,875 (5,817) 173,905 (4,414)  
Due to related parties           (2,379) 100,005 (2,379) 205,000 (2,379)  
Net Cash Used in Operating Activities     (97,176)     (155,650) (79,065) (286,519) (26,759) (364,114)  
Interest earned on investment held in Trust Account     (534,368)     (688,610) (558,639) (1,382,661) (559,019) (1,999,894)  
Change in fair value of warrant liabilities     (16,418)     (25,857) (22,480) (42,506) (38,214) (62,869)  
Cash Flows from Investing Activities:                      
Purchase of investment held in Trust Account     (1,148,800)       (1,268,800)   (1,448,800)    
Net Cash Provided by Investing Activities     (1,148,800)       104,610,318   104,430,318    
Cash withdrawn from Trust Account to pay redeeming shareholders             105,879,118   105,879,118    
Cash Flows from Financing Activities:                      
Redemption of ordinary shares             (105,879,118)   (105,879,118)    
Cash Flows from Financing Activities:                      
Proceeds from promissory note – related party     780,000       780,000   780,000    
Cash Flows from Financing Activities:                      
Proceeds from promissory note             100,000   220,000 1,148,800  
Net Cash Provided by Financing Activities     780,000       (104,999,118)   (104,879,118) 1,148,800  
Net increase (decrease) in Cash     (465,976)     (155,650) (467,865) (286,519) (475,559) 784,686  
Cash – Beginning of the period 9,289 11,178 477,154 165,890 296,759 452,409 477,154 452,409 477,154 452,409 452,409
Cash – Ending of period $ 1,595 $ 9,289 11,178 $ 1,237,095 $ 165,890 296,759 9,289 165,890 1,595 1,237,095 $ 477,154
Supplemental Disclosure of Non-cash Financing Activities:                      
Change in value of ordinary shares subject to possible redemption     $ 402,566     $ 560,866 $ 286,858 $ 1,134,728 $ 202,627 $ 1,691,675